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509 JonyDong - Muted Hostage
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509 JonyDong - Muted Hostage

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Market Survivor | Real Trading Insights Not a "guru". Just sharing what I trade based on years of experience.
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Publications
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Haussier
$NEAR Long 10x | Monitoring a long setup at demand. NEAR has revisited the anticipated demand zone after a brief momentum shakeout. This scenario is mapped with clear invalidation; a failure at demand would negate the idea. Scenario map: - Entry band: 5.38325 – 5.42566 - TP1 / first reaction: 5.55712 (R:R 1:0.8) - TP2 / continuation area: 5.65891 (R:R 1:1.2) - TP3 / extended objective: 5.81158 (R:R 1:2.0) - Risk level: 5.20089 Why this setup? - The long setup remains intact, with 4h preserved as price consolidates between 5.38325–5.42566 near 5.40445. - The 15m RSI at 60 indicates neutral momentum, allowing for potential upside continuation and keeping the setup viable. - Current volume shows 1.46x, with 1.46M traded against 993.55K expected, highlighting genuine buy-side interest. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and What’s your take: is this a solid demand hold, or are we facing a failed bounce? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(NEARUSDT)
$NEAR Long 10x | Monitoring a long setup at demand.

NEAR has revisited the anticipated demand zone after a brief momentum shakeout. This scenario is mapped with clear invalidation; a failure at demand would negate the idea.

Scenario map:
- Entry band: 5.38325 – 5.42566
- TP1 / first reaction: 5.55712 (R:R 1:0.8)
- TP2 / continuation area: 5.65891 (R:R 1:1.2)
- TP3 / extended objective: 5.81158 (R:R 1:2.0)
- Risk level: 5.20089

Why this setup?
- The long setup remains intact, with 4h preserved as price consolidates between 5.38325–5.42566 near 5.40445.
- The 15m RSI at 60 indicates neutral momentum, allowing for potential upside continuation and keeping the setup viable.
- Current volume shows 1.46x, with 1.46M traded against 993.55K expected, highlighting genuine buy-side interest.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and What’s your take: is this a solid demand hold, or are we facing a failed bounce?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$IOST Long 10x | The demand reaction is crucial for this setup. IOST has reached the anticipated demand zone for a potential entry. This zone will determine if the long scenario remains viable for tracking. Scenario map: - Entry band: 0.00091 – 0.00091 - TP1 / first reaction: 0.00092 (R:R 1:0.8) - TP2 / continuation area: 0.00093 (R:R 1:1.3) - TP3 / extended objective: 0.00094 (R:R 1:2.1) - Risk level: 0.00089 Why this setup? - The higher timeframe structure still favors a long position, with the key reaction expected between 0.00091–0.00091 around 0.00091. - An RSI of 15m at 54 suggests buyers have room to push higher, making additional signal essential. - Current volume is at 2.36x, with 261.95M traded against an expected 111.00M, indicating solid participation. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Which approach will you take: an early entry in the zone or a more cautious additional signal entry? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(IOSTUSDT)
$IOST Long 10x | The demand reaction is crucial for this setup.

IOST has reached the anticipated demand zone for a potential entry. This zone will determine if the long scenario remains viable for tracking.

Scenario map:
- Entry band: 0.00091 – 0.00091
- TP1 / first reaction: 0.00092 (R:R 1:0.8)
- TP2 / continuation area: 0.00093 (R:R 1:1.3)
- TP3 / extended objective: 0.00094 (R:R 1:2.1)
- Risk level: 0.00089

Why this setup?
- The higher timeframe structure still favors a long position, with the key reaction expected between 0.00091–0.00091 around 0.00091.
- An RSI of 15m at 54 suggests buyers have room to push higher, making additional signal essential.
- Current volume is at 2.36x, with 261.95M traded against an expected 111.00M, indicating solid participation.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Which approach will you take: an early entry in the zone or a more cautious additional signal entry?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$LINK Long 10x | Execution zone observed, risk parameters established. LINK has arrived at a strategically favorable zone where I prioritize risk management over impulsive entries. The invalidation level is clearly defined for adherence. Scenario map: - Entry band: 14.21000 – 14.27000 - TP1 / first reaction: 14.47000 (R:R 1:0.7) - TP2 / continuation area: 14.63000 (R:R 1:1.3) - TP3 / extended objective: 14.86000 (R:R 1:2.0) - Risk level: 13.93000 Why this setup? - The long setup is supported by a solid 4h structure, while the 1D trend remains bullish within the 14.21000–14.27000 range. - The 15m RSI is positioned at 43, indicating potential for upward momentum as long as this zone is maintained. - Volume analysis shows a healthy execution backdrop, with 0.37x activity and 74.03K traded against an anticipated 201.85K. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Are we witnessing genuine demand absorption, or is this merely a fleeting rebound? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(LINKUSDT)
$LINK Long 10x | Execution zone observed, risk parameters established.

LINK has arrived at a strategically favorable zone where I prioritize risk management over impulsive entries. The invalidation level is clearly defined for adherence.

Scenario map:
- Entry band: 14.21000 – 14.27000
- TP1 / first reaction: 14.47000 (R:R 1:0.7)
- TP2 / continuation area: 14.63000 (R:R 1:1.3)
- TP3 / extended objective: 14.86000 (R:R 1:2.0)
- Risk level: 13.93000

Why this setup?
- The long setup is supported by a solid 4h structure, while the 1D trend remains bullish within the 14.21000–14.27000 range.
- The 15m RSI is positioned at 43, indicating potential for upward momentum as long as this zone is maintained.
- Volume analysis shows a healthy execution backdrop, with 0.37x activity and 74.03K traded against an anticipated 201.85K.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Are we witnessing genuine demand absorption, or is this merely a fleeting rebound?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$HBAR Long played out clean. The main lesson here was the entry position at 0.10344-0.10394. Price did not just touch that area, it used the zone as a decision point and defended it. That is why the long side was cleaner: price held the entry position and expanded upward instead of accepting below the zone, which would have weakened the idea. RSI also supported the read, moving from around 50.0 near the entry window to around 67.3 as the trade developed. TP1 confirmed the reaction, TP2 showed continuation, and TP3 at 0.10846 completed the full target sequence. The stop loss at 0.1013 was not touched before TP3. This stays a lesson in letting the zone prove itself first, then trusting the target sequence.
$HBAR Long played out clean.

The main lesson here was the entry position at 0.10344-0.10394. Price did not just touch that area, it used the zone as a decision point and defended it.

That is why the long side was cleaner: price held the entry position and expanded upward instead of accepting below the zone, which would have weakened the idea.

RSI also supported the read, moving from around 50.0 near the entry window to around 67.3 as the trade developed.

TP1 confirmed the reaction, TP2 showed continuation, and TP3 at 0.10846 completed the full target sequence.

The stop loss at 0.1013 was not touched before TP3.

This stays a lesson in letting the zone prove itself first, then trusting the target sequence.
509 JonyDong - Muted Hostage
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Haussier
$HBAR Long 10x | The target level has finally arrived.

HBAR has approached the anticipated zone where a clean invalidation can be maintained. Invalidation provides clarity on when the scenario ceases to be viable.

Scenario map:
- Entry band: 0.10344 – 0.10394
- TP1 / first reaction: 0.10548 (R:R 1:0.7)
- TP2 / continuation area: 0.10667 (R:R 1:1.2)
- TP3 / extended objective: 0.10846 (R:R 1:2.0)
- Risk level: 0.10130

Why this setup?
- The 4h timeframe continues to support the long thesis, with price interacting as expected within 0.10344–0.10394 near 0.10369.
- The 15m RSI at 50 indicates neutral momentum, allowing for potential upside; the zone must still validate itself.
- Volume is present: 1.03x, with 15.20M traded against an expected 14.76M.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and In this scenario, should the focus be on safeguarding capital or pursuing the upside potential?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Baissier
$BCH Short 10x | Supply zone engaged, prioritizing execution over sentiment. BCH has reached the anticipated supply zone, drawing in potential sellers. This short setup features a clear invalidation point. Scenario map: - Entry band: 305.58627 – 306.77220 - TP1 / first reaction: 301.90989 (R:R 1:0.7) - TP2 / continuation area: 299.06365 (R:R 1:1.2) - TP3 / extended objective: 294.79430 (R:R 1:2.0) - Risk level: 311.87171 Why this setup? - The short scenario is intact on 4h, with price action adhering to the range of 305.58627–306.77220, while the daily analysis indicates a range-bound condition. - The RSI at 37 on the 15m chart suggests there is still potential for downward pressure, provided sellers maintain their defense. - Current volume stands at 1.28x, with 5.53K traded against an expected 4.32K, indicating solid participation in this move. Execution note: - For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and are you inclined to enter the short now, or would you prefer to wait for further additional signal? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(BCHUSDT)
$BCH Short 10x | Supply zone engaged, prioritizing execution over sentiment.

BCH has reached the anticipated supply zone, drawing in potential sellers. This short setup features a clear invalidation point.

Scenario map:
- Entry band: 305.58627 – 306.77220
- TP1 / first reaction: 301.90989 (R:R 1:0.7)
- TP2 / continuation area: 299.06365 (R:R 1:1.2)
- TP3 / extended objective: 294.79430 (R:R 1:2.0)
- Risk level: 311.87171

Why this setup?
- The short scenario is intact on 4h, with price action adhering to the range of 305.58627–306.77220, while the daily analysis indicates a range-bound condition.
- The RSI at 37 on the 15m chart suggests there is still potential for downward pressure, provided sellers maintain their defense.
- Current volume stands at 1.28x, with 5.53K traded against an expected 4.32K, indicating solid participation in this move.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and are you inclined to enter the short now, or would you prefer to wait for further additional signal?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$ZEC Long 10x | Demand zone engaged, the path is set. ZEC has reached the anticipated long zone, with risk parameters clearly defined. The long setup remains active as long as the designated zone continues to hold. Scenario map: - Entry band: 1482.24613 – 1488.99314 - TP1 / first reaction: 1509.90889 (R:R 1:0.8) - TP2 / continuation area: 1526.10173 (R:R 1:1.3) - TP3 / extended objective: 1550.39099 (R:R 1:2.0) - Risk level: 1453.23396 Why this setup? - 4h supports the long narrative, while the 1D reading stays bullish as price interacts with 1482.24613–1488.99314 near 1485.61964. - The 15m RSI shows 80; indicating strong momentum, emphasizing the need for careful follow-through rather than impulsive entries. - Volume dynamics are favorable: 0.64x volume pace, with 18.61K traded against an expectation of 28.92K. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and which approach do you prefer: reacting to the zone or waiting for a candle close additional signal? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ZECUSDT)
$ZEC Long 10x | Demand zone engaged, the path is set.

ZEC has reached the anticipated long zone, with risk parameters clearly defined. The long setup remains active as long as the designated zone continues to hold.

Scenario map:
- Entry band: 1482.24613 – 1488.99314
- TP1 / first reaction: 1509.90889 (R:R 1:0.8)
- TP2 / continuation area: 1526.10173 (R:R 1:1.3)
- TP3 / extended objective: 1550.39099 (R:R 1:2.0)
- Risk level: 1453.23396

Why this setup?
- 4h supports the long narrative, while the 1D reading stays bullish as price interacts with 1482.24613–1488.99314 near 1485.61964.
- The 15m RSI shows 80; indicating strong momentum, emphasizing the need for careful follow-through rather than impulsive entries.
- Volume dynamics are favorable: 0.64x volume pace, with 18.61K traded against an expectation of 28.92K.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and which approach do you prefer: reacting to the zone or waiting for a candle close additional signal?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$ZAMA Short 10x | Monitoring a short setup at the supply level. ZAMA has reached the anticipated short zone, with risk parameters clearly defined. The mapped risk is straightforward, yet the chart's reaction remains to be seen. Scenario map: - Entry band: 0.07625 – 0.07659 - TP1 / first reaction: 0.07487 (R:R 1:0.8) - TP2 / continuation area: 0.07384 (R:R 1:1.3) - TP3 / extended objective: 0.07230 (R:R 1:2.0) - Risk level: 0.07848 Why this setup? - The short setup is methodical, as 4h remains intact while price lingers between 0.07625–0.07659 near 0.07642. - The 15m RSI at 76 indicates heightened momentum that could still reverse, allowing sellers to maintain the setup. - Current volume shows 0.36x, with 2.22M traded against an expected 6.21M, reflecting genuine sell-side engagement. Execution note: - For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Does this zone provide sufficient additional signal, or is further evidence required for your strategy? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ZAMAUSDT)
$ZAMA Short 10x | Monitoring a short setup at the supply level.

ZAMA has reached the anticipated short zone, with risk parameters clearly defined. The mapped risk is straightforward, yet the chart's reaction remains to be seen.

Scenario map:
- Entry band: 0.07625 – 0.07659
- TP1 / first reaction: 0.07487 (R:R 1:0.8)
- TP2 / continuation area: 0.07384 (R:R 1:1.3)
- TP3 / extended objective: 0.07230 (R:R 1:2.0)
- Risk level: 0.07848

Why this setup?
- The short setup is methodical, as 4h remains intact while price lingers between 0.07625–0.07659 near 0.07642.
- The 15m RSI at 76 indicates heightened momentum that could still reverse, allowing sellers to maintain the setup.
- Current volume shows 0.36x, with 2.22M traded against an expected 6.21M, reflecting genuine sell-side engagement.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Does this zone provide sufficient additional signal, or is further evidence required for your strategy?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$BULLA Long 10x | Demand must hold or the scenario is invalidated. BULLA is currently approaching a critical zone that could sustain the bullish outlook. Buyers must demonstrate strength at this level for the plan to remain intact. Scenario map: - Entry band: 0.07915 – 0.07936 - TP1 / first reaction: 0.08002 (R:R 1:0.8) - TP2 / continuation area: 0.08054 (R:R 1:1.3) - TP3 / extended objective: 0.08131 (R:R 1:2.0) - Risk level: 0.07823 Why this setup? - The 4h timeframe continues to support the long thesis, with price reacting as anticipated between 0.07915–0.07936 near 0.07925. - The 15m RSI at 38 indicates neutral momentum, allowing for potential upside; however, the zone needs to validate itself. - Volume is present, with 3.41x traded against 11.71K versus an expected 3.44K, suggesting active participation. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and What’s your approach: execute a single entry or stagger orders throughout the zone? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(BULLAUSDT)
$BULLA Long 10x | Demand must hold or the scenario is invalidated.

BULLA is currently approaching a critical zone that could sustain the bullish outlook. Buyers must demonstrate strength at this level for the plan to remain intact.

Scenario map:
- Entry band: 0.07915 – 0.07936
- TP1 / first reaction: 0.08002 (R:R 1:0.8)
- TP2 / continuation area: 0.08054 (R:R 1:1.3)
- TP3 / extended objective: 0.08131 (R:R 1:2.0)
- Risk level: 0.07823

Why this setup?
- The 4h timeframe continues to support the long thesis, with price reacting as anticipated between 0.07915–0.07936 near 0.07925.
- The 15m RSI at 38 indicates neutral momentum, allowing for potential upside; however, the zone needs to validate itself.
- Volume is present, with 3.41x traded against 11.71K versus an expected 3.44K, suggesting active participation.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and What’s your approach: execute a single entry or stagger orders throughout the zone?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$UNI Long 10x | Demand area engaged, prioritizing execution over speculation. UNI has reached the anticipated reaction zone, setting the stage for a potential upside move. This scenario requires sustained buying pressure to maintain control; otherwise, it risks being overlooked. Scenario map: - Entry band: 8.80100 – 8.82700 - TP1 / first reaction: 8.91000 (R:R 1:0.8) - TP2 / continuation area: 8.97400 (R:R 1:1.2) - TP3 / extended objective: 9.06900 (R:R 1:2.0) - Risk level: 8.68600 Why this setup? - The 4h timeframe supports the long perspective, with the 1D trend remaining bullish as price navigates from 8.80100 to 8.82700 near 8.81400. - The 15m RSI shows 49; this indicates neutral momentum, allowing for potential upward movement without encouraging reckless entries. - Volume participation is noteworthy: 0.39x pace with 17.77K traded against an expectation of 44.98K. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and What’s your take: will buyers uphold this level, or is the long scenario at risk of invalidation? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(UNIUSDT)
$UNI Long 10x | Demand area engaged, prioritizing execution over speculation.

UNI has reached the anticipated reaction zone, setting the stage for a potential upside move. This scenario requires sustained buying pressure to maintain control; otherwise, it risks being overlooked.

Scenario map:
- Entry band: 8.80100 – 8.82700
- TP1 / first reaction: 8.91000 (R:R 1:0.8)
- TP2 / continuation area: 8.97400 (R:R 1:1.2)
- TP3 / extended objective: 9.06900 (R:R 1:2.0)
- Risk level: 8.68600

Why this setup?
- The 4h timeframe supports the long perspective, with the 1D trend remaining bullish as price navigates from 8.80100 to 8.82700 near 8.81400.
- The 15m RSI shows 49; this indicates neutral momentum, allowing for potential upward movement without encouraging reckless entries.
- Volume participation is noteworthy: 0.39x pace with 17.77K traded against an expectation of 44.98K.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and What’s your take: will buyers uphold this level, or is the long scenario at risk of invalidation?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$1000PEPE Long 10x | Demand hold setup, execution only. 1000PEPE has pulled into the zone where I am willing to take risk. The plan depends on buyers defending the area, not on hope. Scenario map: - Entry band: 0.00433 – 0.00435 - TP1 / first reaction: 0.00439 (R:R 1:0.7) - TP2 / continuation area: 0.00443 (R:R 1:1.2) - TP3 / extended objective: 0.00449 (R:R 1:2.0) - Risk level: 0.00426 Why this setup? - The plan is still alive because 4h structure and bullish daily context are both reacting around 0.00433–0.00435. - 15m RSI at 61 still gives room for buyers to keep pressing higher, but the zone must stay defended. - Volume confirms this is not an empty reaction: 2.86x, with 913.58M versus 319.37M expected. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and how aggressive are you here: take the long, or wait for additional signal? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(1000PEPEUSDT)
$1000PEPE Long 10x | Demand hold setup, execution only.

1000PEPE has pulled into the zone where I am willing to take risk. The plan depends on buyers defending the area, not on hope.

Scenario map:
- Entry band: 0.00433 – 0.00435
- TP1 / first reaction: 0.00439 (R:R 1:0.7)
- TP2 / continuation area: 0.00443 (R:R 1:1.2)
- TP3 / extended objective: 0.00449 (R:R 1:2.0)
- Risk level: 0.00426

Why this setup?
- The plan is still alive because 4h structure and bullish daily context are both reacting around 0.00433–0.00435.
- 15m RSI at 61 still gives room for buyers to keep pressing higher, but the zone must stay defended.
- Volume confirms this is not an empty reaction: 2.86x, with 913.58M versus 319.37M expected.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and how aggressive are you here: take the long, or wait for additional signal?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$牛来 Short lesson recap. The short call was based on price entering the 0.104919–0.105571 zone and needing to prove itself there. What made the short side cleaner was that price rejected that zone and expanded lower instead of reclaiming it. RSI near entry was around 50.0, then moved to around 39.77 as the trade developed, which confirmed that momentum was shifting in favor of sellers. TP1 at 0.1029 confirmed the rejection, and that was the highest completed target in this recap. The stop loss at 0.108372 was not touched before TP1. TP2 and TP3 stayed as planned targets, not completed results. This is how a location-based short works: the entry zone holds, momentum shifts, and the first target validates the read.
$牛来 Short lesson recap.

The short call was based on price entering the 0.104919–0.105571 zone and needing to prove itself there. What made the short side cleaner was that price rejected that zone and expanded lower instead of reclaiming it. RSI near entry was around 50.0, then moved to around 39.77 as the trade developed, which confirmed that momentum was shifting in favor of sellers. TP1 at 0.1029 confirmed the rejection, and that was the highest completed target in this recap. The stop loss at 0.108372 was not touched before TP1. TP2 and TP3 stayed as planned targets, not completed results. This is how a location-based short works: the entry zone holds, momentum shifts, and the first target validates the read.
509 JonyDong - Muted Hostage
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Baissier
$牛来 Short 10x | Active short setup with mapped invalidation.

牛来 has reached the designated supply zone, setting the stage for market evaluation. This scenario is strategically planned, with sellers poised to dictate the forthcoming market response.

Scenario map:
- Entry band: 0.10492 – 0.10557
- TP1 / first reaction: 0.10290 (R:R 1:0.7)
- TP2 / continuation area: 0.10134 (R:R 1:1.3)
- TP3 / extended objective: 0.09899 (R:R 1:2.0)
- Risk level: 0.10837

Why this setup?
- This trade is anchored in location: 4h short structure, a range-bound daily backdrop, and price reacting from 0.10492–0.10557.
- RSI15 at 32 suggests potential for further downside, contingent on sellers maintaining control.
- Current volume stands at 0.21x, with 474.83K traded against 2.22M anticipated, highlighting the active participation.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Are you inclined to sell at this zone, or would you prefer to wait for a breach below support?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$DASH Long 10x | Long area observed, no need to chase. DASH has reached the anticipated zone outlined in my prior analysis. Mapped risk is established before the majority receives a clearer signal. Scenario map: - Entry band: 60.69000 – 60.89000 - TP1 / first reaction: 61.52000 (R:R 1:0.8) - TP2 / continuation area: 62.00000 (R:R 1:1.2) - TP3 / extended objective: 62.73000 (R:R 1:2.0) - Risk level: 59.82000 Why this setup? - The long setup remains intact, with 4h holding strong while price trades within 60.69000–60.89000 near 60.79000. - The 15m RSI at 53 indicates neutral momentum, allowing for potential upside continuation and keeping the setup viable for buyers. - Current volume shows 0.91x, with 4.99K executed against 5.50K anticipated, reflecting genuine buy-side interest. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Will you seize the opportunity amidst the uncertainty, or wait for a clearer signal to act? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(DASHUSDT)
$DASH Long 10x | Long area observed, no need to chase.

DASH has reached the anticipated zone outlined in my prior analysis. Mapped risk is established before the majority receives a clearer signal.

Scenario map:
- Entry band: 60.69000 – 60.89000
- TP1 / first reaction: 61.52000 (R:R 1:0.8)
- TP2 / continuation area: 62.00000 (R:R 1:1.2)
- TP3 / extended objective: 62.73000 (R:R 1:2.0)
- Risk level: 59.82000

Why this setup?
- The long setup remains intact, with 4h holding strong while price trades within 60.69000–60.89000 near 60.79000.
- The 15m RSI at 53 indicates neutral momentum, allowing for potential upside continuation and keeping the setup viable for buyers.
- Current volume shows 0.91x, with 4.99K executed against 5.50K anticipated, reflecting genuine buy-side interest.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Will you seize the opportunity amidst the uncertainty, or wait for a clearer signal to act?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$XMR Long 10x | Demand zone activated, exercise caution. XMR has reached a critical zone that could validate the long scenario. This scenario requires the market to affirm the long potential at this level. Scenario map: - Entry band: 537.70000 – 538.90000 - TP1 / first reaction: 542.40000 (R:R 1:0.8) - TP2 / continuation area: 545.10000 (R:R 1:1.3) - TP3 / extended objective: 549.10000 (R:R 1:2.0) - Risk level: 532.90000 Why this setup? - The higher timeframe framework remains favorable for longs, with key reactions expected between 537.70000–538.90000 near 538.30000. - An RSI reading of 15m at 38 suggests buyers have room to push higher, making additional signal essential. - Current volume is at 4.00x, with 459.27000 traded against an expected 114.83000, indicating solid market participation. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and which additional signal should you prioritize: a wick rejection or a body close above the level? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(XMRUSDT)
$XMR Long 10x | Demand zone activated, exercise caution.

XMR has reached a critical zone that could validate the long scenario. This scenario requires the market to affirm the long potential at this level.

Scenario map:
- Entry band: 537.70000 – 538.90000
- TP1 / first reaction: 542.40000 (R:R 1:0.8)
- TP2 / continuation area: 545.10000 (R:R 1:1.3)
- TP3 / extended objective: 549.10000 (R:R 1:2.0)
- Risk level: 532.90000

Why this setup?
- The higher timeframe framework remains favorable for longs, with key reactions expected between 537.70000–538.90000 near 538.30000.
- An RSI reading of 15m at 38 suggests buyers have room to push higher, making additional signal essential.
- Current volume is at 4.00x, with 459.27000 traded against an expected 114.83000, indicating solid market participation.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and which additional signal should you prioritize: a wick rejection or a body close above the level?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$EGLD Long 10x | Buyers are actively defending this key level. EGLD has reached a critical zone where the long setup is clearly defined. The mapped scenario emphasizes the importance of the level, with invalidation clearly outlined. Scenario map: - Entry band: 4.48000 – 4.50000 - TP1 / first reaction: 4.54000 (R:R 1:0.7) - TP2 / continuation area: 4.57000 (R:R 1:1.1) - TP3 / extended objective: 4.62000 (R:R 1:1.9) - Risk level: 4.42000 Why this setup? - The long setup is anchored in a solid 4h structure, while the 1D trend remains bullish within 4.48000–4.50000. - The 15m RSI is positioned at 51, providing room for buyers to push higher if the zone holds. - Volume analysis indicates favorable conditions, with 1.21x pace and 3.80K traded against an expected 3.13K. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Are you willing to embrace the mapped risk, or would you prefer to wait for further additional signal? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(EGLDUSDT)
$EGLD Long 10x | Buyers are actively defending this key level.

EGLD has reached a critical zone where the long setup is clearly defined. The mapped scenario emphasizes the importance of the level, with invalidation clearly outlined.

Scenario map:
- Entry band: 4.48000 – 4.50000
- TP1 / first reaction: 4.54000 (R:R 1:0.7)
- TP2 / continuation area: 4.57000 (R:R 1:1.1)
- TP3 / extended objective: 4.62000 (R:R 1:1.9)
- Risk level: 4.42000

Why this setup?
- The long setup is anchored in a solid 4h structure, while the 1D trend remains bullish within 4.48000–4.50000.
- The 15m RSI is positioned at 51, providing room for buyers to push higher if the zone holds.
- Volume analysis indicates favorable conditions, with 1.21x pace and 3.80K traded against an expected 3.13K.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Are you willing to embrace the mapped risk, or would you prefer to wait for further additional signal?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$PONS Short 10x | Defined short zone, precise invalidation. PONS has arrived at a strategic zone where risk parameters align effectively. A breach of the supply zone would invalidate this scenario swiftly. Scenario map: - Entry band: 0.54880 – 0.55340 - TP1 / first reaction: 0.53430 (R:R 1:0.7) - TP2 / continuation area: 0.52310 (R:R 1:1.2) - TP3 / extended objective: 0.50630 (R:R 1:2.0) - Risk level: 0.57350 Why this setup? - The higher timeframe structure continues to favor a short position, with key reactions expected between 0.54880–0.55340 near 0.55110. - An RSI reading of 15m at 60 suggests potential for sellers to maintain pressure, emphasizing the need for additional signal. - Current volume stands at 0.39x, with 229.75K traded against 582.17K anticipated, reinforcing the participation analysis. Execution note: - For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Does the invalidation appear sufficiently tight, or is it still too broad for comfort? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(PONSUSDT)
$PONS Short 10x | Defined short zone, precise invalidation.

PONS has arrived at a strategic zone where risk parameters align effectively. A breach of the supply zone would invalidate this scenario swiftly.

Scenario map:
- Entry band: 0.54880 – 0.55340
- TP1 / first reaction: 0.53430 (R:R 1:0.7)
- TP2 / continuation area: 0.52310 (R:R 1:1.2)
- TP3 / extended objective: 0.50630 (R:R 1:2.0)
- Risk level: 0.57350

Why this setup?
- The higher timeframe structure continues to favor a short position, with key reactions expected between 0.54880–0.55340 near 0.55110.
- An RSI reading of 15m at 60 suggests potential for sellers to maintain pressure, emphasizing the need for additional signal.
- Current volume stands at 0.39x, with 229.75K traded against 582.17K anticipated, reinforcing the participation analysis.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Does the invalidation appear sufficiently tight, or is it still too broad for comfort?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$TRUMP Short 10x | Entry zone is critical, precision is key. TRUMP has reached the anticipated short execution zone. If selling pressure falters, the rationale for this setup may diminish. Scenario map: - Entry band: 2.06300 – 2.07100 - TP1 / first reaction: 2.04100 (R:R 1:0.8) - TP2 / continuation area: 2.02400 (R:R 1:1.3) - TP3 / extended objective: 1.99800 (R:R 1:2.0) - Risk level: 2.10100 Why this setup? - This short strategy is grounded: 4h structure aligns while 1D remains confined within 2.06300–2.07100. - The 15m RSI is positioned at 55, suggesting sellers have potential to drive prices lower as long as the zone remains intact. - Volume analysis supports this approach, with 0.07x activity and 20.50K traded against an expected 278.61K. Execution note: - For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and Is this the right moment to short, or should we wait for a more favorable test? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(TRUMPUSDT)
$TRUMP Short 10x | Entry zone is critical, precision is key.

TRUMP has reached the anticipated short execution zone. If selling pressure falters, the rationale for this setup may diminish.

Scenario map:
- Entry band: 2.06300 – 2.07100
- TP1 / first reaction: 2.04100 (R:R 1:0.8)
- TP2 / continuation area: 2.02400 (R:R 1:1.3)
- TP3 / extended objective: 1.99800 (R:R 1:2.0)
- Risk level: 2.10100

Why this setup?
- This short strategy is grounded: 4h structure aligns while 1D remains confined within 2.06300–2.07100.
- The 15m RSI is positioned at 55, suggesting sellers have potential to drive prices lower as long as the zone remains intact.
- Volume analysis supports this approach, with 0.07x activity and 20.50K traded against an expected 278.61K.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and Is this the right moment to short, or should we wait for a more favorable test?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$VVV Long 10x | Demand retest in play, maintaining a disciplined approach. VVV has reached the anticipated demand zone for a potential rebound. This scenario has a defined invalidation, allowing for a focused execution without pressure. Scenario map: - Entry band: 26.78561 – 26.89961 - TP1 / first reaction: 27.25301 (R:R 1:0.7) - TP2 / continuation area: 27.52661 (R:R 1:1.2) - TP3 / extended objective: 27.93701 (R:R 1:2.0) - Risk level: 26.29541 Why this setup? - The long setup remains intact, with 4h preserved as price holds within 26.78561–26.89961 near 26.84261. - The 15m RSI at 40 indicates neutral momentum, suggesting potential for upward movement and sustaining buyer interest. - Current volume shows 0.37x, with 5.43K traded against 14.74K expected, reflecting genuine buy-side engagement. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and what's your strategy: enter at the demand zone, or wait for additional signal from buyers? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(VVVUSDT)
$VVV Long 10x | Demand retest in play, maintaining a disciplined approach.

VVV has reached the anticipated demand zone for a potential rebound. This scenario has a defined invalidation, allowing for a focused execution without pressure.

Scenario map:
- Entry band: 26.78561 – 26.89961
- TP1 / first reaction: 27.25301 (R:R 1:0.7)
- TP2 / continuation area: 27.52661 (R:R 1:1.2)
- TP3 / extended objective: 27.93701 (R:R 1:2.0)
- Risk level: 26.29541

Why this setup?
- The long setup remains intact, with 4h preserved as price holds within 26.78561–26.89961 near 26.84261.
- The 15m RSI at 40 indicates neutral momentum, suggesting potential for upward movement and sustaining buyer interest.
- Current volume shows 0.37x, with 5.43K traded against 14.74K expected, reflecting genuine buy-side engagement.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and what's your strategy: enter at the demand zone, or wait for additional signal from buyers?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$VVV Long played out clean. The key was the entry position at 26.791-26.931. Price did not just touch that area; it used that zone as the decision point. The long side was cleaner because price defended the entry position and expanded upward instead of accepting below the zone. RSI also helped confirm the read: it moved from around 50.0 near the entry window to around 61.06 as the trade developed. TP1 at 27.367 confirmed the reaction. TP2 and TP3 stayed as planned targets, not completed results. TP1 hit at 27.367. The recap stays focused on the targets that actually completed.
$VVV Long played out clean.

The key was the entry position at 26.791-26.931. Price did not just touch that area; it used that zone as the decision point.

The long side was cleaner because price defended the entry position and expanded upward instead of accepting below the zone.

RSI also helped confirm the read: it moved from around 50.0 near the entry window to around 61.06 as the trade developed.

TP1 at 27.367 confirmed the reaction. TP2 and TP3 stayed as planned targets, not completed results.

TP1 hit at 27.367. The recap stays focused on the targets that actually completed.
509 JonyDong - Muted Hostage
·
--
Haussier
$VVV Long 10x | Risk-managed long zone reached.

VVV is approaching a critical demand zone, marking a pivotal moment for potential trades. This long scenario features a well-defined invalidation point.

Scenario map:
- Entry band: 26.79100 – 26.93100
- TP1 / first reaction: 27.36700 (R:R 1:0.7)
- TP2 / continuation area: 27.70500 (R:R 1:1.3)
- TP3 / extended objective: 28.21200 (R:R 1:2.0)
- Risk level: 26.18600

Why this setup?
- The current setup remains intact due to the 4h structure aligning with the bullish 1D context at this key zone.
- RSI15 at 30 indicates a potential for momentum recovery, suggesting buyers may capitalize on this opportunity rather than merely testing it.
- Current volume stands at 1.84x, with 13.64K traded against 7.41K anticipated, highlighting genuine buy-side interest.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and what's your strategy: engage at demand, or wait for a clearer structural shift?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$TUT Short 10x | The short scenario hinges on supply maintaining its grip. TUT has reached a critical zone where the short setup presents a clear line of defense. This short strategy requires validation at this level before considering target outcomes. Scenario map: - Entry band: 0.02370 – 0.02370 - TP1 / first reaction: 0.02340 (R:R 1:0.7) - TP2 / continuation area: 0.02320 (R:R 1:1.2) - TP3 / extended objective: 0.02290 (R:R 1:2.0) - Risk level: 0.02410 Why this setup? - The 4h timeframe still supports a valid short scenario, with a range-bound 1D context and price responding from 0.02370–0.02370 near 0.02370. - The 15m RSI at 49 indicates neutral momentum, allowing for potential downside continuation if sellers remain active. - Noteworthy volume dynamics: 1.48x pace, with 1.56M traded against an expected 1.05M, highlighting genuine sell-side engagement. Execution note: - For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and is this the moment to act on the short, or should we wait for further additional signal? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(TUTUSDT)
$TUT Short 10x | The short scenario hinges on supply maintaining its grip.

TUT has reached a critical zone where the short setup presents a clear line of defense. This short strategy requires validation at this level before considering target outcomes.

Scenario map:
- Entry band: 0.02370 – 0.02370
- TP1 / first reaction: 0.02340 (R:R 1:0.7)
- TP2 / continuation area: 0.02320 (R:R 1:1.2)
- TP3 / extended objective: 0.02290 (R:R 1:2.0)
- Risk level: 0.02410

Why this setup?
- The 4h timeframe still supports a valid short scenario, with a range-bound 1D context and price responding from 0.02370–0.02370 near 0.02370.
- The 15m RSI at 49 indicates neutral momentum, allowing for potential downside continuation if sellers remain active.
- Noteworthy volume dynamics: 1.48x pace, with 1.56M traded against an expected 1.05M, highlighting genuine sell-side engagement.

Execution note:
- For me this remains a conditional short scenario: zone rejection first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and is this the moment to act on the short, or should we wait for further additional signal?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$HBAR Long 10x | The target level has finally arrived. HBAR has approached the anticipated zone where a clean invalidation can be maintained. Invalidation provides clarity on when the scenario ceases to be viable. Scenario map: - Entry band: 0.10344 – 0.10394 - TP1 / first reaction: 0.10548 (R:R 1:0.7) - TP2 / continuation area: 0.10667 (R:R 1:1.2) - TP3 / extended objective: 0.10846 (R:R 1:2.0) - Risk level: 0.10130 Why this setup? - The 4h timeframe continues to support the long thesis, with price interacting as expected within 0.10344–0.10394 near 0.10369. - The 15m RSI at 50 indicates neutral momentum, allowing for potential upside; the zone must still validate itself. - Volume is present: 1.03x, with 15.20M traded against an expected 14.76M. Execution note: - For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding. Trade here 👇 and In this scenario, should the focus be on safeguarding capital or pursuing the upside potential? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(HBARUSDT)
$HBAR Long 10x | The target level has finally arrived.

HBAR has approached the anticipated zone where a clean invalidation can be maintained. Invalidation provides clarity on when the scenario ceases to be viable.

Scenario map:
- Entry band: 0.10344 – 0.10394
- TP1 / first reaction: 0.10548 (R:R 1:0.7)
- TP2 / continuation area: 0.10667 (R:R 1:1.2)
- TP3 / extended objective: 0.10846 (R:R 1:2.0)
- Risk level: 0.10130

Why this setup?
- The 4h timeframe continues to support the long thesis, with price interacting as expected within 0.10344–0.10394 near 0.10369.
- The 15m RSI at 50 indicates neutral momentum, allowing for potential upside; the zone must still validate itself.
- Volume is present: 1.03x, with 15.20M traded against an expected 14.76M.

Execution note:
- For me this remains a conditional long scenario: zone defense first, TP1/TP2/TP3 are objectives not promises, and the risk level decides when the idea is no longer worth holding.

Trade here 👇 and In this scenario, should the focus be on safeguarding capital or pursuing the upside potential?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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